ICICI PRUDENTIAL MUTUAL FUND
|
Bulk |
Purchase
|
27 Mar 2025 |
1112 |
2,922,662 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
46,432 |
No |
NSE |
OXBOW MASTER FUND LIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
371,673 |
No |
NSE |
MORGAN STANLEY ASIA SINGAPORE PTE
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
247,302 |
No |
NSE |
ICICI PRUDENTIAL MUTUAL FUND
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
2,922,662 |
No |
NSE |
COPTHALL MAURITIUS INVESTMENT LIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
89,967 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
254 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
329 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
2,248 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
11,586 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
14,335 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
33,948 |
No |
NSE |
SOCIETE GENERALE
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
235,594 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
83,071 |
No |
NSE |
KOTAKMAHINDRALIFEINSURANCECOMPANYLIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
190,891 |
No |
NSE |
DSP MUTUAL FUND
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
1,159,763 |
No |
NSE |
CITIGROUP GLOBAL MARKETS SINGAPORE PTE LIMITED
|
Block |
Purchase
|
27 Mar 2025 |
1112 |
89,945 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
27 Mar 2025 |
1112 |
5,500,000 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Block |
Sell
|
27 Mar 2025 |
1112 |
5,500,000 |
No |
NSE |
INTEGRATED CORE STRATEGIES (ASIA) PTE. LTD.
|
Block |
Purchase
|
25 Mar 2025 |
1157.35 |
1,100,123 |
No |
NSE |
UBS AG
|
Block |
Sell
|
25 Mar 2025 |
1157.35 |
1,100,123 |
No |
NSE |
UBS AG
|
Block |
Purchase
|
23 Jan 2025 |
1060.25 |
1,360,443 |
No |
NSE |
UBS PRINCIPAL CAPITAL ASIA LIMITED
|
Block |
Sell
|
23 Jan 2025 |
1060.25 |
1,360,443 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
05 Sep 2024 |
1107.37 |
11,000,000 |
No |
NSE |
THE JUPITER GLOBAL FUND-JUPITER INDIA SELECT
|
Block |
Purchase
|
13 Mar 2024 |
978.75 |
401,739 |
No |
BSE |
JUPITER SOUTH ASIA INVESTMENT COMPANY LIMITED
|
Block |
Sell
|
13 Mar 2024 |
978.75 |
401,739 |
No |
BSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Bulk |
Purchase
|
24 Aug 2023 |
873 |
2,500,000 |
No |
BSE |
UBS(US)GROUPTRUST
|
Bulk |
Purchase
|
24 Aug 2023 |
873 |
4,750,000 |
No |
BSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Block |
Purchase
|
24 Aug 2023 |
873 |
1,250,000 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
24 Aug 2023 |
873 |
11,250,000 |
No |
BSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Block |
Sell
|
24 Aug 2023 |
873 |
1,250,000 |
No |
NSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Bulk |
Purchase
|
29 Mar 2023 |
606.60 |
2,000,000 |
No |
BSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Block |
Purchase
|
29 Mar 2023 |
606.60 |
2,000,000 |
No |
BSE |
PLUTUS WEALTH MANAGEMENT LLP
|
Block |
Purchase
|
29 Mar 2023 |
606.60 |
1,000,000 |
No |
BSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
29 Mar 2023 |
606.60 |
3,000,000 |
No |
BSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Block |
Sell
|
29 Mar 2023 |
606.60 |
1,000,000 |
No |
BSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Block |
Sell
|
29 Mar 2023 |
606.60 |
2,000,000 |
No |
BSE |
NEW YORK LIFE INSURANCE COMPANY
|
Block |
Purchase
|
22 Mar 2023 |
629.75 |
1,499,997 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Block |
Sell
|
22 Mar 2023 |
629.75 |
1,499,997 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
21 Dec 2022 |
679.20 |
5,885,000 |
No |
NSE |
CATALYST TRUSTEESHIP LIMITED
|
Bulk |
Sell
|
22 Nov 2022 |
637.21 |
5,400,000 |
No |
NSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
14 Nov 2022 |
689.60 |
341,721 |
No |
NSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
14 Nov 2022 |
689.60 |
341,721 |
No |
NSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
03 Nov 2022 |
720.45 |
341,721 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
03 Nov 2022 |
720.45 |
341,721 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
25 Oct 2022 |
698.80 |
183,846 |
No |
BSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
25 Oct 2022 |
698.80 |
134,881 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
25 Oct 2022 |
698.80 |
183,846 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
25 Oct 2022 |
698.80 |
134,881 |
No |
BSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
17 Oct 2022 |
714.45 |
44,930 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
17 Oct 2022 |
714.45 |
288,910 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
17 Oct 2022 |
714.45 |
288,910 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
17 Oct 2022 |
714.45 |
44,930 |
No |
BSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
11 Oct 2022 |
758.20 |
43,935 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
11 Oct 2022 |
758.20 |
282,512 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
11 Oct 2022 |
758.20 |
43,935 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
11 Oct 2022 |
758.20 |
282,512 |
No |
BSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
03 Oct 2022 |
762.60 |
282,678 |
No |
NSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
03 Oct 2022 |
762.60 |
43,960 |
No |
NSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
03 Oct 2022 |
762.60 |
282,678 |
No |
NSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
03 Oct 2022 |
762.60 |
43,960 |
No |
NSE |
ISHARES CORE MSCI EMERGING MARKETS ETF
|
Block |
Purchase
|
19 Sep 2022 |
822.95 |
192,161 |
No |
BSE |
ISHARES MSCI INDIA SMALL-CAP ETF
|
Block |
Purchase
|
19 Sep 2022 |
822.95 |
29,646 |
No |
BSE |
ISHARES CORE EMERGING MARKETS MAURITIUS CO
|
Block |
Sell
|
19 Sep 2022 |
822.95 |
192,161 |
No |
BSE |
ISHARES INDIA SC MAURITIUS COMPANY
|
Block |
Sell
|
19 Sep 2022 |
822.95 |
29,646 |
No |
BSE |
ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF
|
Block |
Purchase
|
04 May 2022 |
734.60 |
232,136 |
No |
BSE |
ISHARES CORE TOTAL INTERNATIONAL STOCK MAURITIUS CO
|
Block |
Sell
|
04 May 2022 |
734.60 |
232,136 |
No |
BSE |
GOVERNMENT OF SINGAPORE
|
Bulk |
Purchase
|
17 Jun 2021 |
1000 |
6,013,487 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
17 Jun 2021 |
1000.08 |
7,828,217 |
No |
NSE |
NEW YORK LIFE INSURANCE COMPANY
|
Block |
Purchase
|
08 Mar 2021 |
910 |
934,138 |
No |
NSE |
MAX VENTURES INVESMENT HOLDINGS PRIVATE LIMITED
|
Block |
Sell
|
08 Mar 2021 |
910 |
934,138 |
No |
NSE |
AVENDUS ABSOLUTE RETURN FUND
|
Bulk |
Purchase
|
21 Dec 2020 |
653 |
1,673,026 |
No |
NSE |
MONEYLINE PORTFOLIO INVESTMENTS LIMITED
|
Bulk |
Sell
|
21 Dec 2020 |
654.55 |
3,740,000 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
28 Sep 2020 |
600.70 |
4,333,000 |
No |
BSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
28 Sep 2020 |
600.06 |
1,700,000 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
22 Sep 2020 |
600.07 |
2,080,000 |
No |
NSE |
MAX VENTURES INVESTMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
05 Aug 2020 |
535.18 |
6,100,000 |
No |
BSE |
WF ASIAN SMALLER COMPANIES FUND LTD
|
Bulk |
Purchase
|
20 Feb 2020 |
564.34 |
2,000,000 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
20 Feb 2020 |
572.51 |
1,544,662 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
20 Feb 2020 |
572.83 |
1,545,033 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Purchase
|
09 Jan 2020 |
503.85 |
1,999,453 |
No |
NSE |
SURJECTIVE RESEARCH CAPITAL LLP
|
Bulk |
Sell
|
09 Jan 2020 |
504.18 |
1,992,364 |
No |
NSE |
NEW YORK LIFE INSURANCE COMPANY
|
Block |
Purchase
|
13 Dec 2018 |
429.50 |
4,999,130 |
No |
NSE |
NEW YORK LIFE INSURANCE COMPANY
|
Bulk |
Purchase
|
13 Dec 2018 |
429.50 |
4,999,130 |
No |
NSE |
MAX VENTURES INVESMENT HOLDINGS PRIVATE LIMITED
|
Block |
Sell
|
13 Dec 2018 |
429.50 |
4,999,130 |
No |
NSE |
MAX VENTURES INVESMENT HOLDINGS PRIVATE LIMITED
|
Bulk |
Sell
|
13 Dec 2018 |
429.50 |
4,999,130 |
No |
NSE |
SOCIETE GENERALE
|
Block |
Purchase
|
12 Dec 2017 |
554.75 |
574,750 |
No |
BSE |
SOCIETE GENERALE
|
Block |
Purchase
|
12 Dec 2017 |
554.75 |
147,064 |
No |
BSE |
MORGAN STANLEY MAURITIUS COMPANY LIMITED
|
Block |
Sell
|
12 Dec 2017 |
554.75 |
147,064 |
No |
BSE |
MORGAN STANLEY FRANCE SAS
|
Block |
Sell
|
12 Dec 2017 |
554.75 |
574,750 |
No |
BSE |
SUNDARAM BNP PARIBAS MUTUAL FUND
|
Block |
Purchase
|
15 Sep 2017 |
596 |
646,081 |
No |
BSE |
BIRLA MUTUAL FUND
|
Block |
Purchase
|
15 Sep 2017 |
596 |
4,530,000 |
No |
BSE |
SBI MUTUAL FUND
|
Block |
Purchase
|
15 Sep 2017 |
596 |
1,670,000 |
No |
BSE |
DHFL PRAMERICA MUTUAL FUND
|
Block |
Purchase
|
15 Sep 2017 |
596 |
150,000 |
No |
BSE |
MORGAN STANLEY (FRANCE) S.A.
|
Block |
Purchase
|
15 Sep 2017 |
596 |
333,619 |
No |
BSE |
MORGAN STANLEY (FRANCE) S.A.
|
Block |
Purchase
|
15 Sep 2017 |
596 |
746,381 |
No |
BSE |
SBI MUTUAL FUND
|
Bulk |
Purchase
|
15 Sep 2017 |
596 |
1,670,000 |
No |
BSE |
BIRLA SUN LIFE MUTUAL FUND A/C BIRLA SUN LIFE FRONTLINE EQUITY F
|
Bulk |
Purchase
|
15 Sep 2017 |
596 |
1,510,000 |
No |
BSE |
XENOK LIMITED
|
Block |
Sell
|
15 Sep 2017 |
596 |
150,000 |
No |
BSE |
XENOK LIMITED
|
Block |
Sell
|
15 Sep 2017 |
596 |
333,619 |
No |
BSE |
XENOK LIMITED
|
Block |
Sell
|
15 Sep 2017 |
596 |
646,081 |
No |
BSE |
XENOK LIMITED
|
Block |
Sell
|
15 Sep 2017 |
596 |
1,670,000 |
No |
BSE |
XENOK LIMITED
|
Block |
Sell
|
15 Sep 2017 |
596 |
4,530,000 |
No |
BSE |
GS MACE HOLDINGS LIMITED
|
Block |
Sell
|
15 Sep 2017 |
596 |
746,381 |
No |
BSE |
XENOK LIMITED
|
Bulk |
Sell
|
15 Sep 2017 |
599.95 |
11,079,700 |
No |
BSE |
MONEYLINE PORTFOLIO INVESTMENTS LIMITED
|
Bulk |
Sell
|
16 Aug 2017 |
605.02 |
8,500,000 |
No |
BSE |
CITIGROUP GLOBAL MARKETS MAURITIUS PRIVATE LIMITED
|
Bulk |
Purchase
|
21 Apr 2017 |
615 |
1,740,000 |
No |
BSE |
XENOK LIMITED
|
Bulk |
Sell
|
21 Apr 2017 |
616.47 |
13,000,000 |
No |
BSE |
BIRLA SUN LIFE FRONTLINE EQUITY FUND
|
Bulk |
Purchase
|
21 Feb 2017 |
560 |
1,383,915 |
No |
NSE |
SBI MAGNUM BALANCED
|
Bulk |
Purchase
|
21 Feb 2017 |
560 |
2,300,000 |
No |
NSE |
GS MACE HOLDINGS LIMITED
|
Bulk |
Sell
|
21 Feb 2017 |
561.13 |
15,000,000 |
No |
NSE |
MONEYLINE PORTFOLIO INVESTMENTS LIMITED
|
Block |
Purchase
|
18 Feb 2016 |
358 |
370,333 |
No |
BSE |
MONEYLINE PORTFOLIO INVESTMENTS LIMITED
|
Block |
Purchase
|
18 Feb 2016 |
358 |
1,489,007 |
No |
BSE |
MONEYLINE PORTFOLIO INVESTMENTS LIMITED
|
Block |
Purchase
|
18 Feb 2016 |
358 |
18,843,919 |
No |
BSE |
MONEYLINE PORTFOLIO INVESTMENTS LIMITED
|
Block |
Purchase
|
18 Feb 2016 |
358 |
5,866,789 |
No |
BSE |
MONEYLINE PORTFOLIO INVESTMENTS LIMITED
|
Bulk |
Purchase
|
18 Feb 2016 |
358 |
26,570,048 |
No |
BSE |
ANALJIT SINGH
|
Block |
Sell
|
18 Feb 2016 |
358 |
5,866,789 |
No |
BSE |
MAXOPP INVESTMENTS LTD
|
Block |
Sell
|
18 Feb 2016 |
358 |
18,843,919 |
No |
BSE |
P V T INVESTMENT LIMITED
|
Block |
Sell
|
18 Feb 2016 |
358 |
1,489,007 |
No |
BSE |
MEDICARE INVESTMENTS LIMITED
|
Block |
Sell
|
18 Feb 2016 |
358 |
370,333 |
No |
BSE |
P V T INVESTMENT LIMITED
|
Bulk |
Sell
|
18 Feb 2016 |
358 |
1,489,007 |
No |
BSE |
MAXOPP INVESTMENTS LTD
|
Bulk |
Sell
|
18 Feb 2016 |
358 |
18,843,919 |
No |
BSE |
ANALJIT SINGH
|
Bulk |
Sell
|
18 Feb 2016 |
358 |
5,866,789 |
No |
BSE |
DYNAVEST INDIA (P) LTD
|
Bulk |
Purchase
|
10 Apr 2014 |
198.65 |
2,600,000 |
No |
NSE |
DYNAVEST INDIA (P) LTD
|
Block |
Purchase
|
10 Apr 2014 |
198.65 |
2,600,000 |
No |
NSE |
CRESTA FUND LTD
|
Bulk |
Sell
|
10 Apr 2014 |
198.65 |
2,600,000 |
No |
NSE |
CRESTA FUND LTD
|
Block |
Sell
|
10 Apr 2014 |
198.65 |
2,600,000 |
No |
NSE |
DYNAVEST INDIA (P) LTD
|
Block |
Purchase
|
13 Mar 2014 |
202 |
1,195,900 |
No |
BSE |
ANUROOP SINGH
|
Block |
Sell
|
13 Mar 2014 |
202 |
1,195,900 |
No |
BSE |
JM FINANCIAL PRODUCTS LIMITED
|
Bulk |
Purchase
|
04 Apr 2012 |
174.99 |
5,290,000 |
No |
NSE |
MADISON HOLDING LTD
|
Bulk |
Sell
|
04 Apr 2012 |
175 |
2,072,500 |
No |
NSE |
MELANY HOLDINGS LIMITED
|
Bulk |
Sell
|
04 Apr 2012 |
174.99 |
2,072,500 |
No |
NSE |
PARKVILLE HOLDINGS LIMITED
|
Bulk |
Sell
|
04 Apr 2012 |
175 |
4,145,000 |
No |
NSE |
RELIANCE CAPTAL TRUSTEE CO A/C RELIANCE GROWTH FUND
|
Block |
Purchase
|
23 Jan 2012 |
155 |
1,749,433 |
No |
BSE |
FEDERATED GLOBAL INVESTORS
|
Block |
Sell
|
23 Jan 2012 |
155 |
1,749,433 |
No |
BSE |
GS MACE HOLDINGS LIMITED
|
Bulk |
Purchase
|
09 Dec 2011 |
179.99 |
17,196,381 |
No |
NSE |
PARKVILLE HOLDINGS LIMITED
|
Bulk |
Sell
|
09 Dec 2011 |
180 |
17,139,186 |
No |
NSE |
MAXOPP INVESTMENTS LTD
|
Bulk |
Purchase
|
24 Jun 2011 |
180 |
5,000,000 |
No |
NSE |
STONERIDGE INVESTMENT LIMITED
|
Bulk |
Sell
|
24 Jun 2011 |
180 |
5,016,209 |
No |
NSE |
NEW ASIA FUND
|
Bulk |
Sell
|
16 Apr 2010 |
184.03 |
1,801,659 |
No |
NSE |